Paul Bryant is an accomplished risk manager, lawyer, and auditor with extensive experience in regulatory compliance and oversight within the financial sector. They began their career as a Senior Customer Relations Representative at TD Waterhouse and progressed through various compliance roles, including a Senior Compliance Officer at RBC Capital Markets. Currently, Paul holds the position of Director of Trader Oversight at Scotiabank, where they ensure compliance with regulatory policies and manage risk oversight for the Treasury department. Paul also served as an Audit Manager for RBC, focusing on regulatory compliance within Capital Markets and Wealth Management. They earned a Bachelor of Arts in Economics and International Relations from the University of Toronto and a Bachelor of Laws from the University of Ottawa.
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